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Associated Banc-Corp

Name Holding Trade Value Shares
Change
Change in
Stake
New York State Teachers Retirement System (NYSTRS)
51
New York State Teachers Retirement System (NYSTRS)
New York
$6.78M +$359K +14,600 +6%
BA
52
Boston Advisors
Massachusetts
$6.71M +$712K +28,970 +12%
Swiss National Bank
53
Swiss National Bank
Switzerland
$6.37M +$123K +5,000 +2%
Renaissance Technologies
54
Renaissance Technologies
New York
$6.36M -$5.18M -210,863 -46%
MCM
55
Matarin Capital Management
New York
$6.16M +$128K +5,204 +2%
PI
56
PineBridge Investments
New York
$6.06M -$968K -39,353 -14%
State of Tennessee, Department of Treasury
57
State of Tennessee, Department of Treasury
Tennessee
$6.05M +$983K +40,000 +20%
Bank of America
58
Bank of America
North Carolina
$5.97M +$878K +35,714 +18%
Manulife (Manufacturers Life Insurance)
59
Manulife (Manufacturers Life Insurance)
Ontario, Canada
$5.63M +$110K +4,459 +2%
TIM
60
Thompson Investment Management
Wisconsin
$5.56M +$108K +4,384 +2%
Barclays
61
Barclays
United Kingdom
$5.46M +$2.28M +92,755 +75%
Invesco
62
Invesco
Georgia
$5.28M -$841K -34,193 -14%
TA
63
Teachers Advisors
New York
$5.04M +$646K +26,257 +15%
Retirement Systems of Alabama
64
Retirement Systems of Alabama
Alabama
$4.95M +$9.42K +383 +0.2%
US Bancorp
65
US Bancorp
Minnesota
$4.85M +$72.3K +2,939 +2%
MOACM
66
Mutual of America Capital Management
New York
$4.66M +$39.8K +1,617 +0.9%
Legal & General Group
67
Legal & General Group
United Kingdom
$4.61M +$480K +19,534 +12%
MLICM
68
Metropolitan Life Insurance Company (MetLife)
New York
$3.61M +$47.6K +1,938 +1%
CS
69
Credit Suisse
Switzerland
$3.54M -$855K -34,790 -20%
Wellington Management Group
70
Wellington Management Group
Massachusetts
$3.42M +$391K +15,920 +13%
UBS AM
71
UBS AM
Illinois
$3.14M +$274K +11,157 +10%
SG Americas Securities
72
SG Americas Securities
New York
$3M -$554K -22,517 -16%
SDIC
73
South Dakota Investment Council
South Dakota
$2.88M
TPSF
74
Texas Permanent School Fund
Texas
$2.8M +$32K +1,301 +1%
Janus Henderson Group
75
Janus Henderson Group
$2.8M +$2.73M +111,010 New